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Pix Transmissions Balance Sheet Annual

BSE: 500333 | NSE: PIXTRANS | ISIN: INE751B01018 | Sector: Fabricated Plastic & Rubber
1,797.00 +5.05 (0.28%)Updated : 04 Sep 2026
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Fiscal Period2026202520242023
Period End DateMar 26Mar 25Mar 24Mar 23
Total Liabilities Shareholders' Equity 829.88730.48636.86578.51
Accumulated Depreciation Total -254.13-234.39-215.42-
Cash Equivalents 10.630.130.0352.50
Other Liabilities Total 28.0533.2631.4923.03
Accrued Expenses 9.118.168.33-
Long Term Debt 15.2721.5132.5847.74
Common Stock Total 13.6213.6213.6213.62
Other Equity Total -1.27-7.23-2.91-
Other Current Assets Total 3.244.178.2916.85
Prepaid Expenses 2.301.931.80-
Total Assets 829.88730.48636.86578.51
Current Portof LT Debt/ Capital Leases 6.1511.8411.4524.42
Additional Paid- In Capital 13.8713.8713.87-
Cash 90.2951.8648.50-
Total Equity 696.68596.10492.69417.99
Long Term Investments 0.060.800.003.77
Retained Earnings( Accumulated Deficit) 670.46575.83468.11404.37
Total Common Shares Outstanding 1.361.361.361.36
Property/ Plant/ Equipment Total- Gross 525.27500.41488.090.41
Tangible Book Valueper Share Common Eq 510.45435.72357.90306.01
Total Liabilities 133.19134.38144.17160.52
Total Debt 24.2335.3844.0372.15
Short Term Investments 203.86142.2876.8516.65
Cashand Short Term Investments 304.78194.26125.3769.15
Total Receivables Net 137.74128.25116.93106.08
Notes Payable/ Short Term Debt 0.000.000.000.00
Deferred Income Tax 6.549.109.237.64
Accounts Receivable- Trade Net 135.42121.97110.21105.44
Property/ Plant/ Equipment Total- Net 271.14266.02272.67273.45
Total Current Liabilities 80.5368.4770.8682.11
Total Inventory 104.45123.25100.78105.45
Accounts Payable 26.1227.2531.1523.78
Other Currentliabilities Total 39.1521.2119.9433.92
Total Long Term Debt 18.0823.5432.5847.74
Intangibles Net 1.182.425.051.05
Other Long Term Assets Total 4.989.375.972.71
period Length 0.000.000.000.00
Total Current Assets 552.51451.87353.18297.53
Capital Lease Obligations 2.812.030.00-
*All figures in crores except per share values
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